M&G Managed Fund
George Tsinonis
Fund manager: George Tsinonis
Products available: ISA & OEIC
The Fund’s objective is to maximise total return (the combination of income and growth of capital).
The Fund invests mainly in securities, fixed income assets, warrants, money market instruments, deposits, cash, near cash and property mainly via collective investment schemes, but, with the exception of property, may invest directly in these assets. The Fund may also invest directly in derivative instruments for the purposes of investment and efficient portfolio management.
As a member of the multi-asset team, George Tsinonis manages the M&G Global Dynamic Allocation Fund, the M&G Cautious Multi Asset Fund and the M&G Managed Fund. He joined M&G in 2000 and headed the M&G Portfolio Strategy & Risk team between 2005 and 2009, when he formally joined the multi-asset team.
Prior to joining M&G, George worked at TRW Investment Management in London where he was responsible for all index equity funds and had sector-specific responsibilities on UK active funds. George graduated from the University of Johannesburg in South Africa with an economics and accounting degree. He obtained an honours degree in investment management and, subsequently, an MBA from the University of Birmingham.
In addition to the fund data that can be found by accessing the menu to the left of this page you may also wish to read the fund key features document which contains further fund information.